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Unadjusted Trial Balance Debit Credit 23,000 35,000 3,600 1,400 185,000 160,000 Cash Accounts Receivable Prepaid Insurance Su
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Adjusting journal entries:
Sl. No General Ledger Debit Credit
1 Supplies 900
Supplies (e) 900
( 1300-400=900)
2 Prepaid Insurance 2100
Insurance 2100
(2400-300=2100)
3 Accumulated depreciation Building 36000
Depreciation 36000
(42000-6000=36000)
4 No entry required
5 Service fee earned 5000
Unearned Revenue 5000
6 Unearned Revenue 8000
Service fee earned 8000
Adjusted trail balance
GL Debit Credit
Cash 23000
Account receivable 35000
Prepaid insurance 5700
Supplies 2300
Land 185000
Building 160000
Accumulated depreciation Building 47000
Accounts Payable 32000
Wages Payable 1000
Unearned Revenue 13700
Notes Payable 31000
Capital 190000
Drawing 4000
Service fees earned 122000
Supplies (e) 400
Insurance 300
Wages 14500
Telephone 400
Depreciation 6000
Miscellaneous 100
Total 436700 436700
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